Journal of
Financial Stability, February 2019
Green Table of
Contents
Volume
40
Pages 1-158
What influences banksŐ choice of credit risk management practices?
Theory and evidence
Dilek Blbl, Hendrik Hakenes, Claudia Lambert
Pages 1-14
Shareholder protection and bank executive compensation after the
global financial crisis
Ramn Abascal, Francisco Gonzlez
Pages 15-37
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Do different forms of government ownership matter for bank capital
behavior? Evidence from China
Chunxia Jiang, Hong Liu, Philip Molyneux
Pages 38-49
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Characteristics of the financial system, culture and financial
stability: Papers presented at IMAEF 2016 International Conference
Nikos Benos, Yorgos Goletsis
Pages 50-52
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Creditor rights and the market power-stability relationship in
banking
Swarnava (Sonny) Biswas
Pages 53-63
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Information sharing, credit booms and financial stability: Do
developing economies differ from advanced countries?
Samuel
Gurineau, Florian Lon
Pages 64-76
Volatile capital flows and economic growth: The role of banking
supervision
Kyriakos C. Neanidis
Pages 77-93
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Fiscal policy with banks and financial frictions
Panagiotis
Asimakopoulos, Stylianos Asimakopoulos
Pages 94-109
Central banksŐ preferences and banking sector vulnerability
G. Levieuge,
Y. Lucotte, F. Pradines-Jobet
Pages 110-131
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National culture and bank risk-taking
Stella
Mourouzidou-Damtsa, Andreas Milidonis, Konstantinos Stathopoulos
Pages 132-143
Financial exclusion in the USA: Looking beyond demographics
Nikolaos Mylonidis, Michael Chletsos, Vanessa Barbagianni
Pages 144-158
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